Einzelwerte UBS (Lux) Fund Solutions Factor MSCI EMU Prime Value ESG UCITS ETF (EUR) A-dis - EUR

ETF

A14XG8

LU1215452928

UIMZ

Markt geschlossen - Euronext Amsterdam 09:04:01 28.06.2024 % 5 Tage % 1. Jan.
19.89 EUR +0.41% Intraday Chart für UBS (Lux) Fund Solutions  Factor MSCI EMU Prime Value ESG UCITS ETF (EUR) A-dis - EUR -0.51% +5.80%

Zusammensetzung des UBS (Lux) Fund Solutions Factor MSCI EMU Prime Value ESG UCITS ETF (EUR) A-dis - EUR

Gewichtung
173.7 EUR +0.10%+3.28%+2.24%4,78%
224.3 EUR -0.88%-0.97%+23.39%4,10%
259.5 EUR +0.04%-0.04%+7.25%3,97%
12.12 EUR -0.29%-0.53%+2.06%3,47%
18.47 EUR -0.40%-2.95%-12.67%3,07%
64.57 EUR +1.80%+1.43%+3.23%3,03%
37.79 EUR -0.47%+0.27%-15.75%2,97%
467 EUR -0.28%+0.89%+24.50%2,90%
72.62 EUR -0.79%-0.68%+8.94%2,80%
126.1 SEK +0.20%-0.94%+1.11%2,78%
57.08 EUR -0.28%-2.49%-2.73%2,70%
191.1 EUR -1.44%-0.68%+2.47%2,68%
36.86 EUR +1.51%-3.03%-18.52%2,66%
36.11 EUR -0.17%-2.98%+11.24%2,52%
27.59 EUR -0.83%-2.20%+6.05%2,37%
32.62 EUR -1.09%-3.92%-4.23%2,34%
75.65 EUR -1.24%-0.07%-3.83%2,32%
68.4 EUR -1.44%-1.44%+13.62%2,31%
23.29 EUR -0.04%+0.26%+21.91%2,28%
83.22 EUR -0.57%+1.51%+14.22%2,23%
3.558 EUR +1.53%+3.60%+16.60%2,10%
154.8 EUR -0.51%-7.20%+7.39%2,08%
3.58 EUR +0.34%-0.08%+14.82%2,07%
16.62 EUR -0.92%-2.46%-48.39%2,04%
73.65 EUR -0.81%-2.90%-3.85%2,01%
41.6 EUR +0.27%-3.59%+15.94%1,88%
35.76 EUR +0.11%+1.13%-5.80%1,57%
12.76 EUR -0.31%+0.75%+1.84%1,47%
14.74 EUR +0.65%+0.48%+9.55%1,39%
44.51 EUR +0.54%+1.41%+4.24%1,36%
98.34 EUR -3.02%-2.34%-25.53%1,31%
42.68 EUR +0.52%-1.89%+8.57%1,27%
42.33 EUR +0.19%-6.68%-25.37%1,26%
18 EUR -1.67%-2.54%+37.14%1,25%
57.82 EUR -0.65%+0.31%+40.44%1,24%
9.884 EUR -0.30%-3.38%+7.79%1,23%
16.32 EUR +0.37%-5.56%+9.46%1,22%
40.66 EUR 0.00%+3.72%+2.24%1,18%
17.54 EUR -1.49%-7.22%-5.01%1,18%
38.9 EUR -1.42%-0.82%+3.21%1,17%
81.15 EUR -1.87%-3.28%-21.21%1,17%
73.65 EUR -1.60%-3.73%-12.37%1,16%
42.87 EUR -2.57%-2.68%-15.14%1,07%
14.03 EUR -1.89%-1.13%-43.65%1,05%
99.38 EUR -1.70%-2.28%+18.31%0,99%
16.39 EUR -0.46%-1.94%-8.56%0,99%
74.55 EUR -0.53%+0.74%+15.31%0,84%
60.25 EUR -0.58%-3.98%-2.19%0,78%
10.12 EUR -1.22%+4.09%-35.42%0,75%
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Beschreibung

ISIN Code LU1215452928
Verwaltungsgebühren 0.25%
Anlageklassen Actions
Branche
Wert
Währung
Fondsgesellschaft
Basiswert MSCI EMU Prime Value ESG Low Carbon Select NTR Index - EUR

Merkmale

Dividenden-Politik Distribution
Replikationsmethode Physique
Gerichtsstand
Fondsstruktur
Replikationsmodell
Erstellungsdatum
18.08.2015
Faktor
Geographischer Fokus

Distribution

Investor Privatperson

Entwicklungen der ausstehenden Beträge ( 31.05.2024 )

Volumen (EUR) 143 M€
Volumen 1M 138 M€
Volumen 3M 132 M€
Volumen 6M 134 M€
Volumen 12M 163 M€
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